
Vol. 75, No. 12, December 
2002
Court of Appeals Digest
This column summarizes selected published 
opinions of the Wisconsin Court of Appeals. Prof. Daniel D. Blinka and 
Prof. Thomas J. Hammer invite comments and questions about the digests. 
They can be reached at the Marquette University Law School, 1103 W. 
Wisconsin Ave., Milwaukee, WI 53233, (414) 288-7090.
by Prof. Daniel D. Blinka &
Prof. Thomas J. Hammer
Civil 
Procedure
Indispensable Parties - Indian Tribes
Dairyland Greyhound Park 
Inc. v. McCallum, 2002 WI App 259 (filed 19 Sept. 2002) 
(ordered published 30 Oct. 2002)
Dairyland Greyhound Park sought to enjoin Gov. Scott McCallum from 
renewing gaming compacts with Indian tribes in Wisconsin. The circuit 
court dismissed the action on the ground that the tribes are "necessary 
parties" under Wis. Stat. section 803.03(1), and because they cannot be 
joined as parties, the injunctive action cannot proceed.
The court of appeals, in an opinion written by Judge Deininger, 
reversed. At the outset the court emphasized that the merits of an 
injunction were not before it. The sole question was whether the claim 
for relief may be heard in a Wisconsin court despite Dairyland's 
inability to join the tribes as parties.
The court looked to case law "discussing the nature of the interest 
required for intervention as a matter of right for guidance" in 
resolving this issue, an interest that is "defined broadly" and extends 
"well beyond the concept of 'legally protected' interest" (¶14). It 
was "not necessary for the tribes to have an enforceable right to 
continue conducting casino gambling in order for them to have a 
sufficient interest in this litigation to be deemed necessary parties." 
Rather, their mere "opportunity to convince the Governor" to extend the 
compacts beyond their current expiration dates sufficed. (¶16)
Turning next to whether the tribes' absence impaired or impeded their 
ability to protect that interest, the court observed that neither the 
governor's participation as a party nor the tribes' status as "amicus" 
resolved the matter.
Since the tribes cannot be made parties, the "final question" was 
whether "in equity and good conscience the action should proceed among 
the parties now before the court, or alternatively, whether the action 
should be dismissed, as the circuit court concluded" (¶20). The 
court elected to apply a de novo standard of review, and looked at four 
questions: 1) Will the tribes be prejudiced by the rendering of a 
judgment in this action in their absence? 2) Can any such prejudice be 
lessened or avoided by protective provisions in the judgment or other 
measures? 3) Will a judgment in the absence of the tribes be "adequate" 
with respect to the governor and Dairyland? 4) Will Dairyland have an 
adequate remedy if this action is dismissed for non-joinder?
The court of appeals held that the circuit court erred by giving 
undue, "if not controlling, weight" to the tribes' status as sovereign 
nations and by placing too much emphasis on the "prejudice" element of 
section 803.03(3)(a), "without giving proper consideration to whether 
the remaining factors might outweigh the prejudice inherent to the 
tribes if Dairyland were to prevail" (¶26). In weighing these other 
factors, especially the "adequacy" of a judgment and a remedy absent the 
tribes' participation, the court found "persuasive the reasoning of two 
state courts [New York and California] which each concluded Indian 
tribes were not indispensable parties in light of facts and 
circumstances closely analogous to those now before us" (¶32). On 
balance, the court held, the action should proceed in the absence of the 
tribes, "notwithstanding the potential prejudice to their interests" 
(¶35).
Contracts
UCC - Added Terms - Interest Rates
Mid-State Contracting Inc. 
v. Superior Floor Co., 2002 WI App 257 (filed 17 Sept. 2002) 
(ordered published 30 Oct. 2002)
Superior Floor Company contracted with Mid-State Contracting Inc. to 
install a dust collection system and truck loading system at Superior's 
plant. The payment terms were 20 percent down, 70 percent over the 
course of the project, and 10 percent due 30 days after completion; 
there was no contractual provision regarding interest rates. Superior 
paid for the systems.
Later Superior contacted Mid-State regarding additional items that 
needed to be repaired or installed. A notation on the invoices specified 
a 1.5 percent monthly service charge (an 18 percent annual rate) for all 
accounts due. After Superior refused to pay for the items, Mid-State 
sued to recover the amounts due plus interest, and Superior 
counterclaimed for breach of implied and express warranties. A jury 
returned a verdict in Mid-State's favor and the trial court entered 
judgment for about $25,000 on the verdict plus $34,600 interest.
The court of appeals, in a decision authored by Judge Hoover, 
affirmed. Wisconsin statutes set the legal interest rate at five percent 
but permit parties to contract at different rates. Wis. Stat. § 
138.04. Superior argued that it never agreed to an 18 percent interest 
rate, while Mid-State claimed that its notation at the bottom of the 
invoices constituted an "additional term" as provided by Wis. Stat. 
section 402.207. A Seventh Circuit case had held that the statute 
applies "where there is a previous agreement between the parties and one 
or both sends written confirmation of terms discussed adding terms 
not discussed" (¶9, emphasis added).
The court of appeals explained that "[w]hile interest may not have 
been discussed originally, adding it to the bottom of the invoice 
constitutes the addition of a term not previously discussed between the 
parties. Thus, § 402.207 applies to make the interest an additional 
part of the agreement between merchants unless one of the exceptions in 
§ 402.207(2) applies" (¶10). Only the third exception, which 
bars the unilateral addition of a term to a contract if notification of 
and objection to the term is made, was arguably applicable. Since 
Superior never objected to the additional terms, this exception did not 
preclude the 18 percent interest rate. (The jury had found Superior 
liable for the bills and declined to find that Mid-State had failed to 
perform.)
Criminal Law
Self-defense - Instructions
State v. Peters, 
2002 WI App 243 (filed 18 Sept. 2002) (ordered published 30 Oct. 
2002)
Shirley Peters was convicted of first-degree intentional homicide for 
shooting her husband to death. The court of appeals, in an opinion 
written by Judge Brown, reversed. The court relied on the supreme 
court's recent decision in State v. Head, 2002 WI 99, which 
held that a defendant need not satisfy an objective threshold showing 
for imperfect self-defense. In Peters' case, the court found that the 
real controversy of imperfect self-defense had not been fully tried and 
that discretionary reversal was appropriate under Wis. Stat. section 
752.35. "[I]n order for Peters to be entitled to a jury instruction on 
imperfect self-defense, she would need to present only 'some' evidence 
that she actually believed that she was in imminent danger of 
death or great bodily harm and actually believed that the force 
she used was necessary to defend herself" (¶19) (emphasis in 
original).
Reversible error also occurred because the trial court refused to 
instruct the jury on perfect self-defense, thereby contravening the 
supreme court's "clarification" in Head of the "some evidence" 
standard. The credibility of the defendant's version of events was for 
the jury to decide (¶28).
Bail Jumping - Sufficiency of Evidence - Confession 
Corroboration Rule
State v. Hauk, 2002 
WI App 226 (filed 1 Aug. 2002) (ordered published 25 Sept. 2002)
The defendant was charged with interference with custody and was 
released on bond. One of the conditions of release was that she not 
"commit any crimes or engage in any criminal activity." While free on 
bond she allegedly solicited a third party to murder her ex-boyfriend 
and his current wife. However, the defendant subsequently called off the 
"hit" after telling a friend about it and being counseled by the friend 
to abandon the plan. The state charged the defendant with bail jumping 
on a theory that she intentionally failed to comply with the bond 
condition described above when she solicited the murders. No charges 
were filed in connection with the solicitation, but the defendant was 
convicted of bail jumping.
On appeal, the defendant argued that the evidence presented to the 
jury was insufficient because she was never convicted of any underlying 
crimes related to her solicitation of murder. In a decision authored by 
Judge Dykman, the court of appeals disagreed. It concluded that as long 
as there was sufficient evidence to allow a reasonable jury to conclude 
beyond a reasonable doubt that the defendant intentionally violated her 
bond by soliciting murder, that evidence was not required to be in the 
form of a conviction for the solicitation.
This case also raised issues regarding the confession corroboration 
rule. In Wisconsin there is a common law rule that a criminal conviction 
may not be grounded solely on the admission or confession of the 
accused. Instead, to sustain a conviction, corroboration of a 
"significant fact" is required. The defendant argued that all the 
evidence the state relied on to convict her consisted of extrajudicial 
statements that she made either to a detective or to her friend, and 
therefore there was insufficient evidence to convict her. The state 
responded that the corroboration rule for confessions applies only to 
statements made to the police.
The appellate court noted that no Wisconsin case has explicitly 
decided whether the corroboration rule applies to all extrajudicial 
statements made by the accused or only to those made to the police. It 
observed that the main concern underlying the corroboration rule is that 
an accused will feel coerced or induced when he or she is under the 
pressure of a police investigation and may make a false confession as a 
result. Concerns about police pressure are not implicated, however, when 
a confession is made to a friend before a police investigation has been 
initiated, as occurred in this case. The court therefore concluded that 
the corroboration rule did not apply to those statements.
Attempted Child Enticement - Attempted Second-degree Sexual Assault 
- Liability When Intended Victim is an Adult Posing as a Child
State v. Grimm, 
2002 WI App 242 (filed 19 Sept. 2002) (ordered published 30 Oct. 
2002)
The defendant was charged with attempted child enticement (Wis. Stat. 
section 948.07(1)) and attempted second-degree sexual assault of a child 
(sections 939.32 and 948.02(2)). These crimes allegedly occurred during 
online communications between the defendant and a Division of Criminal 
Investigation special agent who posed as a 14-year-old boy. The 
defendant was arrested when he arrived at the location where he was to 
pick up the "child" for their planned journey to a hotel.
The defendant moved to dismiss the charges, asserting that commission 
of the crimes was legally impossible because the alleged victim was 
actually an adult. The circuit court granted the motion.
In a decision authored by Judge Vergeront, the court of appeals 
reversed. It held that under State v. Robins, 2002 WI 65, 253 
Wis. 2d 298, 646 N.W.2d 287, and State v. Koenck, 2001 WI App 
93, 242 Wis. 2d 693, 626 N.W.2d 359, the state may properly charge 
attempted child enticement and attempted second-degree sexual assault of 
a child when the intended victim is actually an adult whom the 
complainant believes to be a child.
Criminal Procedure
Search and Seizure - Warrantless Entry of Home - Exigent 
Circumstances - Domestic Violence Investigation
State v. Mielke, 
2002 WI App 251 (filed 4 Sept. 2002) (ordered published 30 Oct. 
2002)
Deputy sheriffs responded to a domestic violence report that the 
defendant had struck his female companion at their home and that she was 
spitting blood. Deputies had been to the defendant's house several times 
in the past for domestic abuse calls.
When the officers arrived, the woman came out onto the front porch 
and told them that there was nothing wrong. She did not appear to have 
any injuries. Although the scene was calm at the time, the officers 
observed that the woman was crying, shaking, and cowering in a corner. 
She then turned to go back into the house, telling the police not to 
follow her. One of the deputies prevented the woman from closing the 
door behind her. Believing the woman to be in danger, the deputy 
continued to talk with her for a brief period. The deputy then looked 
through the open door and saw the defendant, who granted the police 
permission to enter the premises.
The defendant was charged with recklessly endangering another 
person's safety, being armed while under the influence of alcohol, 
battery, and felony bail jumping. Upon a motion by the defendant, the 
circuit court suppressed evidence found inside the house. The court 
stated that although there was probable cause to enter, there were not 
sufficient exigent circumstances to justify entering the home without a 
warrant.
The court of appeals, in a decision authored by Judge Peterson, 
reversed. The court held that the police entry of the home was permitted 
by exigent circumstances. This exception to the warrant requirement 
arises when the state can demonstrate both probable cause and exigent 
circumstances that overcome the individual's right to be free from 
governmental interference. Whether the officers acted reasonably in 
entering the house without a warrant is measured against the totality of 
the circumstances. The test applied is an objective one: what would a 
reasonable police officer reasonably believe under the 
circumstances?
Here the police believed the woman's safety was threatened. Under all 
the circumstances as described above, the court concluded that this 
belief was reasonable and that the police were entitled to infer that 
exigent circumstances existed.
The state also argued that the entry was permissible under the 
emergency doctrine and on the basis of the owner's consent. However, 
because the appellate court held that there were sufficient exigent 
circumstances justifying the entry, it did not address those additional 
arguments.
Habitual Criminality - Proof of Prior Conviction - Timing of Prior 
Conviction
State v. Watson, 
2002 WI App 247 (filed 15 Aug. 2002) (ordered published 30 Oct. 
2002)
The defendant pleaded guilty to possession of a firearm as a felon, 
which plea was accepted by the circuit court on May 9, 1997. The written 
judgment of conviction for this offense was dated July 23, 1997. On May 
20, 1997, the defendant committed a substantial battery and was charged 
with being a repeater because of the prior firearms conviction. The 
defendant argued that he was not a repeater within the meaning of the 
habitual criminality statute because the judgment of conviction for the 
firearms charge was entered after he committed the battery.
In a decision authored by Judge Dykman, the court of appeals held 
that once the circuit court has accepted a guilty plea or verdict, the 
conviction becomes sufficiently final to trigger the operation of the 
repeater statute. It thus concluded that for purposes of applying the 
habitual criminality statute in the battery case, the defendant had been 
"convicted" of the firearms charge when he was found guilty of the 
firearms offense, even though the judgment of conviction for that crime 
had not yet been entered.
This case also raised questions concerning the sufficiency of the 
state's evidence as to the defendant's repeater status. Although the 
appellate court concluded that the defendant admitted the prior 
conviction for purposes of repeater enhancement, the court had to look 
to the totality of the record to draw that conclusion. Once again, it 
encouraged prosecutors seeking repeater enhancement to either: "(1) seek 
an oral admission from the defendant at the plea or sentencing hearing 
that he or she was convicted of a particular crime on a particular date; 
or (2) present at the hearing a certified judgment of conviction. As we 
have noted before, these are the best (and simplest) ways to ensure that 
the sentence enhancement will be sustained on appeal" (¶ 8).
Finally, in a footnote, the court addressed the question of whether 
factual allegations supporting a habitual criminality charge must be 
included in both the criminal complaint and the information. Wis. Stat. 
section 973.12(1) permits the repeater allegation to be included in 
either the complaint or the information. The court concluded that as 
long as the two documents are not factually inconsistent with each 
other, the defendant is put on sufficient notice if either the complaint 
or the information alleges the necessary factual background.
Hearsay - Statements Against Penal Interest - Third-party 
Confessions
State v. Joyner, 
2002 WI App 250 (filed 24 Sept. 2002) (ordered published 30 Oct. 
2002)
The court of appeals, in an opinion written by Judge Fine, affirmed 
the defendant's conviction for robbery with use of force. Judge Schudson 
dissented. One of the issues raised concerned the admissibility of an 
alleged "confession" to the same offense by the defendant's sister. The 
sister, who made the statement to the defendant's attorney, in effect 
said that the defendant was not in the vicinity at the time of the purse 
snatching, which was carried out by another individual while the sister 
waited in a nearby car. The attorney withdrew from representation so 
that he could testify at the defendant's trial.
The court of appeals found no grounds for reversible error in the 
trial court's decision to exclude the sister's statement. When examined 
assertion by assertion, as required by the case law, the statements were 
not against the sister's penal interest. In one part of the statement 
the sister said only that the defendant "wasn't there." In another part, 
the sister pointed the finger at two other people and did not inculpate 
herself. (¶¶19-20) [In postconviction proceedings, the defense 
presented additional information about the alleged "confession," which 
the court analyzed and rejected under the newly discovered evidence 
standard.]
Employment Law
Whistleblower Law - Disclosure of Information Involving Alleged 
Mismanagement
Hutson v. Wisconsin 
Personnel Comm'n, 2002 WI App 249 (filed 10 Sept. 2002) 
(ordered published 30 Oct. 2002)
Wisconsin's Whistleblower Law is codified as part of the Wisconsin 
State Employment Relations Act, Wis. Stat. chapter 230. The act's 
statement of policy provides that it is the policy of Wisconsin to 
encourage disclosure of certain information by governmental employees 
and to ensure that employees are protected from retaliatory action for 
disclosing that information.
In this case a probation and parole agent wrote a memo to her 
supervisor and sent copies to her supervisor's superior and to union 
officials. In the memo, the agent claimed she had to handle an excessive 
caseload and referred to a "lack of clarity under a supervisory style 
that is extremely arbitrary and capricious."
The agent subsequently filed a complaint with the Wisconsin Personnel 
Commission (the commission) against the Department of Corrections, 
alleging, among other things, unlawful retaliation against her for 
having submitted the memo. The commission concluded that the memo was 
not a protected disclosure under the Whistleblower Law because it did 
not disclose a "series" of incompetent management actions.
The Whistleblower Law protects the disclosure of information gained 
by an employee that he or she reasonably believes demonstrates 
mismanagement. "Mismanagement" is statutorily defined as "a pattern of 
incompetent management actions which are wrongful, negligent or 
arbitrary and capricious and which adversely affect the efficient 
accomplishment of an agency function...." See Wis. Stat. § 
230.80(7).
The commission conceded that this statutory language reflects a clear 
legislative intent to provide the protections of the Whistleblower Law 
only to those employees who identify a "series" of incompetent 
management actions, that is, more than an isolated instance of alleged 
mismanagement.
In a decision authored by Judge Schudson, the court of appeals 
disagreed. The court looked to ordinary dictionary definitions for a 
meaning of the term "pattern," which is used in the statute. It found 
that "pattern" is defined as "a fully realized form, original, or model 
accepted or proposed for imitation: something regarded as a normative 
example to be copied." It believed that a "pattern" could be triggered 
or established by a single act and thus held that the commission erred 
in determining that the agent's memo was not a protected disclosure of 
"information" under the Whistleblower Law.
Family Law
Divorce - Property Division - Division of 401(k) Plan - Fluctuations 
in Value of Plan Assets Prior to Redemption
Taylor v. Taylor, 
2002 WI App 253 (filed 26 Sept. 2002) (ordered published 30 Oct. 
2002)
The parties were divorced in September 2000. At that time, they 
entered into a marital settlement agreement, which was approved by the 
court and incorporated into the divorce judgment. As part of the 
property division set forth in the agreement, the husband's 401(k) plan, 
consisting primarily of stocks, was divided between the parties. The 
husband received 65 percent and the wife received 35 percent, to be 
divided through a qualified domestic relations order (QDRO).
Six months after the date of the divorce, the wife's attorney 
forwarded a draft QDRO to the husband, the trial court, and the 401(k) 
plan administrator. The draft called for a transfer to the wife of 35 
percent of the plan's value as of September 2000, with no adjustment 
made for changes in the value of plan assets occurring between September 
2000 and the date on which the transfer was to occur. The husband 
objected, noting that the stock market had declined since the date of 
the divorce, causing his 401(k) plan to lose value. He argued that if 
his ex-wife were to receive a transferred amount that did not reflect a 
proportionate share of the post-divorce losses, absorbing the losses on 
both his and his wife's portions of the plan would penalize him. The 
wife argued that she was entitled to receive a sum in dollars equal to 
35 percent of the value of the plan as of the divorce date, with no 
adjustment for subsequent losses. The circuit court agreed with the 
husband.
In a decision authored by Judge Deininger, the court of appeals 
affirmed. The court concluded that the language in the marital 
settlement was not ambiguous and that the only reasonable interpretation 
of that language is that it granted the husband a 65 percent share and 
the wife a 35 percent share of the 401(k) plan as of the date of the 
agreement and divorce. The wife's share, like the husband's, was subject 
to market gains and losses from that date until such time as she 
withdraws her share from the plan.
Responding to one of the wife's additional arguments, the court 
concluded that judicial economy would be ill served by permitting any 
party who suffers a loss upon liquidation of an asset awarded to him or 
her in a divorce to seek a judicial reallocation of the loss. "If a 
party desires the comfort and security of a fixed dollar sum from a 
divorce property division, that is what he or she should bargain for - 
or ask the court to order" (¶ 14).
Insurance
UM Coverage - Emotional Injuries
Mullen v. Walczak, 
2002 WI App 254 (filed 10 Sept. 2002) (ordered published 30 Oct. 
2002)
Joseph Mullen and his wife were in an accident caused by Douglas 
Walczak, who was uninsured. Mullen suffered severe injuries and his wife 
died. He brought a wrongful death claim on behalf of the estate. 
American Family, the Mullens' insurer, paid $100,000 under the wife's 
"each person" uninsured motorist (UM) coverage limit. Mullen and 
American Family stipulated that his own injuries, physical and 
emotional, totaled $50,000. American Family refused to cover Mullen's 
emotional injuries stemming from his wife's death, on the ground that 
they arose from his wife's injuries, the coverage for which had been 
exhausted. The circuit court granted summary judgment to American 
Family.
The court of appeals, in a decision authored by Chief Judge Cane, 
affirmed. "[B]ut for the death of his wife, Mullen would not have an 
emotional distress claim based on witnessing her death. That he suffered 
his own injuries is irrelevant to the issue of how the policy covers 
claims that result from bodily injury to another person" (¶9). Case 
law supported Mullen's contention that he was entitled to recover for 
his emotional distress in witnessing his wife's death. Yet the precise 
issue was how such damages were treated under the UM policy. "Here, the 
emotional distress Mullen suffered by witnessing his wife's death arose 
from her bodily injury. Undoubtedly, this distress was severe. 
Nonetheless, American Family has already exhausted [his wife's] 'each 
person' limit and is not required to provide coverage for any other 
damages that arose from her death" (¶14).
UM Coverage - Murder - Vehicular "Use"
Van Dyn Hoven v. Pekin Ins. 
Co., 2002 WI App 256 (filed 17 Sept. 2002) (ordered published 
30 Oct. 2002)
In June 2002 Shanna Van Dyn Hoven was jogging when Kenneth Hudson 
approached her in his truck, "pushed" her into the vehicle, stabbed her 
to death, and fled in the truck. Her body was left at the scene. Van Dyn 
Hoven's parents and her estate filed this action against the parents' 
insurer, alleging that their uninsured motorist (UM) coverage extended 
to their damages. The circuit court entered judgment in favor of the 
insurer. First, there was insufficient evidence that Hudson was 
uninsured. Second, there was no causal nexus between Van Dyn Hoven's 
injuries and Hudson's "use" of his truck, as the term "use" is 
understood in the policy.
The court of appeals, in an opinion written by Judge Peterson, 
affirmed. Case law construes the term "use" to mean "'the use of a 
vehicle as such and does not include a use which is completely foreign 
to a vehicle's inherent purpose'" (¶8). Since Hudson's "actions 
were not consistent with the inherent use of a vehicle" (¶12), 
there was no UM coverage. In a footnote, the court distinguished case 
law involving injuries caused by the "force from the vehicle's movement" 
(n.2).
Property
Unmarried Cohabitants - Unjust Enrichment - Real Estate
Ulrich v. Zemke, 
2002 WI App 246 (filed 19 Sept. 2002) (ordered published 30 Oct. 
2002)
Glenn Zemke and Susan Ulrich lived together from 1989 to 1997, during 
which time they had two children together. They had comparable incomes 
and separate checking accounts, they shared living expenses, and they 
acquired three parcels of land, designated "Homestead," "Buttercup," and 
"Badger." Ulrich requested that the circuit court partition the parties' 
real and personal property based on unjust enrichment. The court awarded 
Ulrich Homestead and Buttercup but ordered her to make an equalization 
payment of $36,000. It rejected her unjust enrichment claim as to 
Badger.
The court of appeals, in an opinion authored by Judge Roggensack, 
affirmed in part and reversed in part. Under Wisconsin law, "[o]nce a 
party demonstrates the existence of a joint enterprise, equity 
principles demand that the parties be treated fairly and all assets 
accumulated as part of the joint enterprise be divided accordingly. A 
division of property otherwise would allow one party to benefit by 
retaining an unreasonable amount of property acquired through the 
efforts of both" (¶11). The court of appeals held that the circuit 
court thus erred when it analyzed Ulrich's unjust enrichment claim 
"asset by asset" (¶12).
Functioning as a "family unit," the two "maintained a house, raised 
four children, shared living expenses, and continually acquired real and 
personal property" (¶14). Indeed, Ulrich's "contribution to the 
relationship enabled Zemke to purchase Badger" (¶15). The court 
remanded the case for the purpose of dividing Badger. It also remanded 
for a recalculation of the equalization payment that will take into 
account the value of Badger (¶19).
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